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Commitments and Contingencies (Details)
12 Months Ended
Dec. 31, 2019
USD ($)
site
Dec. 31, 2018
USD ($)
Dec. 31, 2017
USD ($)
Purchase Obligations      
2020 $ 735,000,000    
2021 605,000,000    
2022 408,000,000    
2023 326,000,000    
2024 262,000,000    
2025 and beyond $ 1,853,000,000    
Performance Guarantees & Product Warranties [Abstract]      
Number of surety bond obligations outstanding 62    
Performance guarantee obligations outstanding face amount $ 565,000,000    
Percentage of work yet to be completed on projects with open surety bonds 36.00%    
Guarantor Obligations, Maximum Exposure, Undiscounted $ 499,000,000    
Legal, Environmental and Other Matters      
Asset Retirement Obligation $ 539,000,000 $ 258,000,000 $ 281,000,000
Indiana Gas Service Territory [Member]      
Legal, Environmental and Other Matters      
Environmental remediation number of sites with potential remedial responsibility | site 26    
Minnesota and Indiana Gas Service Territories [Member]      
Legal, Environmental and Other Matters      
Liability recorded for remediation of Minnesota sites $ 12,000,000    
Minnesota and Indiana Gas Service Territories [Member] | Minimum [Member]      
Legal, Environmental and Other Matters      
Estimated remediation costs for the Minnesota sites $ 7,000,000    
Years to resolve contingency 5 years    
Minnesota and Indiana Gas Service Territories [Member] | Maximum [Member]      
Legal, Environmental and Other Matters      
Estimated remediation costs for the Minnesota sites $ 51,000,000    
Years to resolve contingency 50 years    
Minnehaha Academy Gas Explosion [Member]      
Legal, Environmental and Other Matters      
Contested amount of fines imposed $ 200,000    
Indiana Electric [Member]      
Legal, Environmental and Other Matters      
Asset Retirement Obligation 68,000,000    
Indiana Electric [Member] | Minimum [Member]      
Legal, Environmental and Other Matters      
Estimated capital expenditure to clean ash ponds 60,000,000    
Indiana Electric [Member] | Maximum [Member]      
Legal, Environmental and Other Matters      
Estimated capital expenditure to clean ash ponds 80,000,000    
CenterPoint Energy Resources Corp.      
Purchase Obligations      
2020 518,000,000    
2021 420,000,000    
2022 232,000,000    
2023 173,000,000    
2024 166,000,000    
2025 and beyond 1,489,000,000    
Legal, Environmental and Other Matters      
Asset Retirement Obligation 325,000,000 $ 221,000,000 $ 243,000,000
CenterPoint Energy Resources Corp. | Minnesota and Indiana Gas Service Territories [Member]      
Legal, Environmental and Other Matters      
Liability recorded for remediation of Minnesota sites 7,000,000    
CenterPoint Energy Resources Corp. | Minnesota and Indiana Gas Service Territories [Member] | Minimum [Member]      
Legal, Environmental and Other Matters      
Estimated remediation costs for the Minnesota sites $ 4,000,000    
Years to resolve contingency 30 years    
CenterPoint Energy Resources Corp. | Minnesota and Indiana Gas Service Territories [Member] | Maximum [Member]      
Legal, Environmental and Other Matters      
Estimated remediation costs for the Minnesota sites $ 32,000,000    
Years to resolve contingency 50 years    
CenterPoint Energy Resources Corp. | Minnehaha Academy Gas Explosion [Member]      
Legal, Environmental and Other Matters      
Contested amount of fines imposed $ 200,000    
CES natural gas related transactions [Member] | Energy Services [Member]      
Performance Guarantees & Product Warranties [Abstract]      
Performance guarantee obligations outstanding face amount $ 1,800,000,000    
Annualized fee received for retained CES obligation guarantees 3.00%    
Quarterly increase of fee received for retained CES guarantee exposure 1.00%    
Guarantor Obligations, Current Carrying Value $ 0    
CES natural gas related transactions [Member] | Energy Services [Member] | CenterPoint Energy Resources Corp.      
Performance Guarantees & Product Warranties [Abstract]      
Performance guarantee obligations outstanding face amount $ 1,800,000,000    
Annualized fee received for retained CES obligation guarantees 3.00%    
Quarterly increase of fee received for retained CES guarantee exposure 1.00%    
Guarantor Obligations, Current Carrying Value $ 0